- Budgeting & Forecasting - Developing and managing budgets, forecasting financial performance, and setting financial targets.
- Cash Flow Management - Overseeing cash flow operations, ensuring the business has enough liquidity to meet its daily expenses.
- Strategic Planning - Contributing to strategic decision-making by providing financial insights and analysis.
- Audit Coordination - Coordinating with internal and external auditors to ensure accurate and timely financial reporting.
- Qualified Accountant – preferably with a Big 4 or Top Tier Firm.
- Experience of supporting or working in the Tech Industry.
- Ideally some knowledge of the AI Marketplace.
- Demonstrable knowledge of IFRS and ideally US and UK GAAP.
- Remote working – 1 or 2 contact days a month in the Central London office.
- Excellent Benefits Package
- Enhanced Pension